Profil
Julien F.
Dumas-Pilhou is currently working as a Fixed Income Investment Manager at Jabre Capital Partners SA since 2016.
Prior to this, he worked as a Research Analyst at Putnam Investments Ltd. from 2006 to 2011.
Postes actifs de Julien F. Dumas-Pilhou
| Sociétés | Poste | Début |
|---|---|---|
Jabre Capital Partners SA
Jabre Capital Partners SA Investment ManagersFinance JABCAP is an active manager which manages private mandates across asset classes with a focus on three strategies: Convertible Bonds & Fixed Income, Innovation & Sustainability Equity, and Global Opportunities. The Convertible Bonds & Fixed Income strategy seeks to achieve long-term capital appreciation through exposure to global fixed income and equity markets. It aims to combine bottom-up security selection with a macro asset allocation and focuses on active and discretionary portfolio management techniques. The Innovation & Sustainability strategy leverages the firm’s deep knowledge of the global technology sector, to provide investors with exposure to this rapidly growing and evolving landscape. The strategy invests globally, with a focus on mid-cap equity in Europe and America. It is an equity long-bias strategy which uses market hedges to limit volatility while taking advantage of large long-term secular trends in the global economy. Lastly, the Global Opportunities strategy is opened to multiples asset classes and is focused on global developed market equities with a long bias. It combines a top-down approach to portfolio construction, with fundamental analysis and a rigorous investment & risk management process aimed at identifying best-in-class investment ideas across multiple sectors. | Portfolio Manager-Fixed Income | 01/12/2016 |
Anciens postes connus de Julien F. Dumas-Pilhou
| Sociétés | Poste | Fin |
|---|---|---|
Putnam Investments Ltd.
Putnam Investments Ltd. Investment ManagersFinance PIL offers professional, active investment management across a broad range of asset classes, including traditional long-only equity, fixed income, multi-asset income, alternative, and multi-asset class strategies. The firm’s research is focused on developing both a top-down view of broader market performance and a bottom-up outlook for individual securities. They rely significantly on research generated in-house which is tailored to the precise needs of their investment professionals. External research is also used - for example, to evaluate consensus views and to augment the research process. | Analyst-Fixed Income | 01/08/2011 |
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Actives
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Sociétés cotées
Entreprise privées
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Entreprises liées au 1er degré
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Sociétés liées
| Entreprise privées | 2 |
|---|---|
Putnam Investments Ltd.
Putnam Investments Ltd. Investment ManagersFinance PIL offers professional, active investment management across a broad range of asset classes, including traditional long-only equity, fixed income, multi-asset income, alternative, and multi-asset class strategies. The firm’s research is focused on developing both a top-down view of broader market performance and a bottom-up outlook for individual securities. They rely significantly on research generated in-house which is tailored to the precise needs of their investment professionals. External research is also used - for example, to evaluate consensus views and to augment the research process. | Finance |
Jabre Capital Partners SA
Jabre Capital Partners SA Investment ManagersFinance JABCAP is an active manager which manages private mandates across asset classes with a focus on three strategies: Convertible Bonds & Fixed Income, Innovation & Sustainability Equity, and Global Opportunities. The Convertible Bonds & Fixed Income strategy seeks to achieve long-term capital appreciation through exposure to global fixed income and equity markets. It aims to combine bottom-up security selection with a macro asset allocation and focuses on active and discretionary portfolio management techniques. The Innovation & Sustainability strategy leverages the firm’s deep knowledge of the global technology sector, to provide investors with exposure to this rapidly growing and evolving landscape. The strategy invests globally, with a focus on mid-cap equity in Europe and America. It is an equity long-bias strategy which uses market hedges to limit volatility while taking advantage of large long-term secular trends in the global economy. Lastly, the Global Opportunities strategy is opened to multiples asset classes and is focused on global developed market equities with a long bias. It combines a top-down approach to portfolio construction, with fundamental analysis and a rigorous investment & risk management process aimed at identifying best-in-class investment ideas across multiple sectors. | Finance |
















